Transparency and Information Asymmetry in Financial Markets
A Critical Perspective
Seiten
2023
Brill (Verlag)
978-90-04-53702-6 (ISBN)
Brill (Verlag)
978-90-04-53702-6 (ISBN)
In Financial Transparency & Information Asymmetry: A critical perspective of EU disclosure regime, Daniel Bar Aharon offers an interdisciplinary critical analysis addressing the inherent limitations mandated disclosure have on market discipline.
Daniel Bar Aharon critically explores the European Union’s mounting regularity frameworks pertaining to transparency through mandated disclosure requirements within the purview of traditional investor protection regulation in financial markets.
Traditionally, financial regulatory frameworks maintain a status quo assumption of “rational investors” contained within neoclassical economic theory; however, reoccurring financial incidents have exposed a critical flaw in this understanding, consequently requiring further examination of the interplay between behavioral finance and financial regulation.
Daniel Bar Aharon critically explores the European Union’s mounting regularity frameworks pertaining to transparency through mandated disclosure requirements within the purview of traditional investor protection regulation in financial markets.
Traditionally, financial regulatory frameworks maintain a status quo assumption of “rational investors” contained within neoclassical economic theory; however, reoccurring financial incidents have exposed a critical flaw in this understanding, consequently requiring further examination of the interplay between behavioral finance and financial regulation.
Daniel Bar Aharon, M.A (2021), Lauder Business School, Vienna Austria, is a Financial analyst at a multinational corporation.
List of Figures
Abbreviations
Transparency and Information Asymmetry in Financial Markets
Daniel Bar Aharon
Abstract
Keywords
1 Introduction
2 Review of Traditional Economic and Legal Frameworks
3 Behavioral Finance: Market and Regulatory Implications
4 Critical Reflection of EU Investor Protection Frameworks
5 Interplay between Behavioral Finance and Investor Protection
6 Conclusion
Notes on Contributor
References
Erscheinungsdatum | 21.04.2023 |
---|---|
Reihe/Serie | Brill Research Perspectives in International Law / Brill Research Perspectives in International Banking and Securities Law ; 4:4 |
Verlagsort | Leiden |
Sprache | englisch |
Maße | 155 x 235 mm |
Gewicht | 137 g |
Themenwelt | Recht / Steuern ► EU / Internationales Recht |
Recht / Steuern ► Wirtschaftsrecht ► Bank- und Kapitalmarktrecht | |
ISBN-10 | 90-04-53702-3 / 9004537023 |
ISBN-13 | 978-90-04-53702-6 / 9789004537026 |
Zustand | Neuware |
Haben Sie eine Frage zum Produkt? |
Mehr entdecken
aus dem Bereich
aus dem Bereich
Einkommensteuer, Körperschaftsteuer, Gewerbesteuer, Bewertungsgesetz …
Buch (2024)
Springer Gabler (Verlag)
CHF 39,15
Währung, Bankenaufsicht, Zahlungsverkehr/Kredit
Buch | Softcover (2024)
dtv Verlagsgesellschaft
CHF 30,65